Distribute Cash to a Specific Account

Use the Cash Receipts Entry (RCE) program to distribute cash to a specific GL account. See Background and Road Map for more information.

Note
If you selected Misc cash receipt?, see Enter Miscellaneous Cash.

  1. Click GL.

  2. Enter data for the distribution in these fields:

Field Name

Type / Max Length

Action / Description

Sequence number

Required
2 numeric

Accept the displayed sequence number.

Distribution code

Optional
10 alphanumeric

Select a code to categorize this transaction.

Amount

Required
14 numeric in the format 999999999999.99

Accept the amount you entered in the Payment amount field or enter a different amount (if you want to distribute to more than one sequence).

Reference

Optional
25 alphanumeric

Accept the displayed reference which is the Payment/Ref no or enter a different reference for this transaction.

GL org code

Required
2 alphanumeric

Select the code for cash organization for which this transaction is to be recorded or leave blank to use the posting criteria set up in the Posting Criteria Maintenance (XPC) program.

GL account no

Required
10 alphanumeric

Enter the cash account number for this transaction, leave blank to use the posting criteria set up in the Posting Criteria Maintenance (XPC) program, or click the Lookup icon and use the standard lookup options to select the account from a list.

  1. Choose the appropriate options:

To

Do This

Change a field

Click Modify

Exit the record without creating this distribution

Click Cancel.

Change the Sequence number field

Click Change no.

Accept the data

Click OK. If you did not distribute the entire amount, the program prompts Sequence number. Enter another sequence or leave blank to exit.

Note
You cannot delete a record until it has been saved; use Cancel.

  1. Choose the appropriate options when you click OK or Cancel:

To

Do This

Add another sequence

Click Add.

Delete the selected sequence

Click Delete. See Delete.

Copy the selected sequence

Click Copy. See Copy.

Display the selected sequence

Click Select.

Display sequences from a specific sequence

Click Restart. The program prompts Sequence number. Enter the first sequence you want to display or leave the fields blank to begin with the first sequence in the file.

Print the sequence listing

Click Print. See Print.

Display the previous set of records in the file

Click Page up.

Display the next set of records in the file

Click Page down.

Exit sequences

Click Exit.

  1. Choose the appropriate options when you click Exit:

To

Do This

Change a field

Click Modify.

Delete this record

Click Delete. See Delete.

Exit without updating the record

Click Cancel. The program prompts Exit without updating? Click Yes to exit without saving the record or click No to retain the record with the data you have entered.

Record this payment as a customer deposit

Click Cust deposit. See Enter a Customer Deposit.

Apply this payment on account for the customer

Click On-account. See Place a Payment On-Account.

Automatically apply the payment to the oldest (earliest) invoice(s)

Click Auto apply.

Enter an invoice and distributions manually

Click Applications. See Enter an Invoice for a Cash Receipt

Select invoices to pay

Click Invoice selection. See Apply Payments to Invoices or Apply an Adjustment or Write-Off to an Invoice.

Distribute cash to a specific account

Click GL.

Enter a debit memo for a cash payment

Click DR memos. See Create a Debit Memo for a Credit Taken.

Accept the data and exit the record

Click OK. The program prompts Customer number, Payment/Ref no, Payment method and Misc cash receipt? Enter another customer or leave these fields blank to exit.

If the program displays the message Payment balance is [amount] ...Distribute the rest? See Distribute the Payment.

  1. Choose the appropriate options when you click OK or Cancel:

To

Do This

Add another payment

Click Add.

Delete the selected payment

Click Delete. See Delete.

Copy the selected payment

Click Copy. See Copy.

Display the selected payment

Click Select.

Display payments from a specific payment

Click Restart. The program prompts Customer number, Payment/Ref no, Payment method and Misc cash receipt?. Enter the first customer number you want to display, or leave these fields blank to begin with the customer in the file.

Print the payment listing

Click Print. See Print.

Display the previous set of records in the file

Click Page up.

Display the next set of records in the file

Click Page down.

Exit payments

Click Exit.

  1. Click Register to print the Cash Receipts Register or choose the appropriate options after you click Exit:

To

Do This

Change a field

Click Modify.

Delete this batch

Click Delete. See Delete.

Exit without updating the record

Click Cancel. The program prompts Exit without updating? Click Yes to exit without saving the record or click No to retain the record with the data you have entered.

Print the Cash Receipts Register for this batch

Click Register.

Display the payments for this batch

Click Payments.

Exit this batch

Click OK.

  1. Choose the appropriate options when you click OK or Cancel:

To

Do This

Add another deposit

Click Add.

Delete the selected deposit

Click Delete. See Delete.

Copy the selected deposit

Click Copy. See Copy.

Display the selected deposit

Click Select.

Display deposits from a specific deposit

Click Restart. The program prompts Deposit number. Enter the first deposit you want to display or leave blank to begin with the first deposit in the file.

Print the deposit listing

Click Print. See Print.

Display the previous set of records in the file

Click Page up.

Display the next set of records in the file

Click Page down.

Set your options for this program

Click Prog opts. See Set Cash Receipts Entry Options.

Exit the program

Click Exit.